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  • Harmonia MT5 MT5 Expert Advisor cover
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Harmonia MT5

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Original price was: $199.90.Current price is: $29.90.

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MT5GOLD/XAUUSDM15Low DrawdownMartingale, Trend Following, News Filter
Research Brief

A structured MT5 product profile with visual report, backtest metrics, strategy classification, input-parameter notes, and licensed package delivery.

Net Profit
$1,535.61
Return
15.36%
Win Rate
64.01%
Max Drawdown
1.79%

Snapshot

Product
Harmonia MT5
Market
GOLD/XAUUSD
Timeframe
M15
Test Period
2026-01-01 to 2026-05-29

Visual Report

Backtest visuals are placed near the top so buyers can inspect the equity curve and report screenshots before reading the full metrics table.

Backtest Metrics

Metric Value
Platform MT5
Symbol GOLD/XAUUSD
Timeframe M15
Test Period 2026-01-01 to 2026-05-29
Initial Deposit $10,000.00
Net Profit $1,535.61
Return 15.36%
Max Drawdown 1.79%
Win Rate 64.01%
Total Trades 364
Profit Factor 1.64
Risk Profile Low Drawdown

Strategy and Risk Notes

Harmonia MT5 is classified from the parsed report and settings as: Martingale, Trend Following, News Filter.

The classification is used for catalog filtering and research screening; it should be confirmed in MT5 before production trading.

The main risk signal is the 1.79% maximum drawdown, classified here as Low Drawdown. Review trade count, drawdown shape, spread sensitivity, broker execution, and parameter stability before deciding whether this EA deserves forward testing.

Input Parameters

Showing 40 key parsed inputs from 80 detected settings. Treat this as a public overview; validate the full setting file in MT5 before live use.

Parameter
MagicNumberBase
Default
714118
Meaning
Sets the Magic Number used to identify the EA's own orders.
Risk
Conflicting Magic Numbers can cause order-management overlap with other strategies.
Parameter
EnableDebugLog
Default
Disabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
EnableStrategy1
Default
Enabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
EnableStrategy2
Default
Enabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
EnableStrategy3
Default
Enabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
EnableStrategy4
Default
Enabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
EnableStrategy5
Default
Enabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
EnableStrategy6
Default
Enabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
EnableStrategy7
Default
Enabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
EnableStrategy8
Default
Enabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
TradeDirection
Default
0
Meaning
Author-defined strategy input. Validate its effect by changing only this value in a short sample test and comparing trade count, holding time, drawdown, spread sensitivity, and order-management changes.
Risk
Unknown until isolated in parameter testing.
Parameter
EnableSingleTradeOnly
Default
Disabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
EnableChristmasPause
Default
Disabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
EnableWeekendClose
Default
Disabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
WeekendCloseHour
Default
20
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Risk
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
WeekendCloseMinute
Default
30
Meaning
Author-defined strategy input. Validate its effect by changing only this value in a short sample test and comparing trade count, holding time, drawdown, spread sensitivity, and order-management changes.
Risk
Unknown until isolated in parameter testing.
Parameter
MinMarginLevelAfterEntry
Default
150
Meaning
Author-defined strategy input. Validate its effect by changing only this value in a short sample test and comparing trade count, holding time, drawdown, spread sensitivity, and order-management changes.
Risk
Unknown until isolated in parameter testing.
Parameter
AutoLotMode
Default
0
Meaning
Controls trade volume or the base position size used by the EA.
Risk
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
CustomCapitalPer001
Default
2000
Meaning
Author-defined strategy input. Validate its effect by changing only this value in a short sample test and comparing trade count, holding time, drawdown, spread sensitivity, and order-management changes.
Risk
Unknown until isolated in parameter testing.
Parameter
UseLotFixed
Default
Enabled
Meaning
Controls trade volume or the base position size used by the EA.
Risk
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
LotFixed
Default
0.01
Meaning
Controls trade volume or the base position size used by the EA.
Risk
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
Strategy1CustomLot
Default
0.01
Meaning
Controls trade volume or the base position size used by the EA.
Risk
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
Strategy2CustomLot
Default
0.01
Meaning
Controls trade volume or the base position size used by the EA.
Risk
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
Strategy3CustomLot
Default
0.01
Meaning
Controls trade volume or the base position size used by the EA.
Risk
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
Strategy4CustomLot
Default
0.01
Meaning
Controls trade volume or the base position size used by the EA.
Risk
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
Strategy5CustomLot
Default
0.01
Meaning
Controls trade volume or the base position size used by the EA.
Risk
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
Strategy6CustomLot
Default
0.01
Meaning
Controls trade volume or the base position size used by the EA.
Risk
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
Strategy7CustomLot
Default
0.01
Meaning
Controls trade volume or the base position size used by the EA.
Risk
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
Strategy8CustomLot
Default
0.01
Meaning
Controls trade volume or the base position size used by the EA.
Risk
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
Strategy1RiskPercent
Default
1
Meaning
Controls account-risk based sizing or an internal risk level.
Risk
A higher risk value can increase exposure, margin use, and peak-to-valley drawdown.
Parameter
Strategy2RiskPercent
Default
1
Meaning
Controls account-risk based sizing or an internal risk level.
Risk
A higher risk value can increase exposure, margin use, and peak-to-valley drawdown.
Parameter
Strategy3RiskPercent
Default
1
Meaning
Controls account-risk based sizing or an internal risk level.
Risk
A higher risk value can increase exposure, margin use, and peak-to-valley drawdown.
Parameter
Strategy4RiskPercent
Default
1
Meaning
Controls account-risk based sizing or an internal risk level.
Risk
A higher risk value can increase exposure, margin use, and peak-to-valley drawdown.
Parameter
Strategy5RiskPercent
Default
1
Meaning
Controls account-risk based sizing or an internal risk level.
Risk
A higher risk value can increase exposure, margin use, and peak-to-valley drawdown.
Parameter
Strategy6RiskPercent
Default
1
Meaning
Controls account-risk based sizing or an internal risk level.
Risk
A higher risk value can increase exposure, margin use, and peak-to-valley drawdown.
Parameter
Strategy7RiskPercent
Default
1
Meaning
Controls account-risk based sizing or an internal risk level.
Risk
A higher risk value can increase exposure, margin use, and peak-to-valley drawdown.
Parameter
Strategy8RiskPercent
Default
1
Meaning
Controls account-risk based sizing or an internal risk level.
Risk
A higher risk value can increase exposure, margin use, and peak-to-valley drawdown.
Parameter
S1_Direction
Default
0
Meaning
Author-defined strategy input. Validate its effect by changing only this value in a short sample test and comparing trade count, holding time, drawdown, spread sensitivity, and order-management changes.
Risk
Unknown until isolated in parameter testing.
Parameter
EnableTrendFilter
Default
Enabled
Meaning
Enables or disables the corresponding EA module.
Risk
Changing a module switch can materially alter entries, exits, filtering, or protection logic.
Parameter
TrendEMAPeriod
Default
200
Meaning
Author-defined strategy input. Validate its effect by changing only this value in a short sample test and comparing trade count, holding time, drawdown, spread sensitivity, and order-management changes.
Risk
Unknown until isolated in parameter testing.

Included Package

Harmonia MT5 MT5 Expert Advisor package prepared for licensed delivery after purchase.

The product is delivered after purchase through WooCommerce download permissions, with API Manager license/resource records kept for the order.

Recommended Trading Environment

For Harmonia MT5, execution quality matters as much as the EA file itself. Use this checklist before running the expert advisor on GOLD/XAUUSD M15.

Broker execution
  • Stable spread on the target symbol
  • Transparent commission and swaps
  • No abnormal requotes
VPS latency
  • Hosted near broker servers
  • Low ping and 24/7 uptime
  • Auto restart after maintenance
Risk control
  • Start with demo or small capital
  • Compare live spread with test assumptions
  • Size capital from drawdown tolerance

Listing profile: Profitable Backtest. SOFX keeps broker and VPS guidance neutral unless a partner has been separately reviewed for execution, latency, and transparency.

FAQ

Is this EA backtest a live trading guarantee?

No. The backtest is a historical research result and does not guarantee future live trading performance.

What symbol was tested?

Harmonia MT5 is listed with a GOLD/XAUUSD test profile.

What timeframe was used?

The listing profile uses the M15 timeframe.

What are the headline backtest metrics?

The stored backtest summary shows net profit 1,535.61, win rate 64.01%, and max drawdown 1.79%.

Why can backtest results differ from live trading?

Live results can differ because of spread, slippage, latency, liquidity, swaps, broker rules, news events, and parameter sensitivity.

What should be checked before live use?

Run forward testing, compare broker conditions, review position sizing, and test parameter sensitivity before any live deployment.

Which broker conditions are recommended?

Use a stable account with transparent commission, controlled spread, no abnormal requotes, and execution conditions close to the assumptions you plan to test.

Should I use a VPS?

A VPS near the broker server can reduce downtime and latency, especially for strategies sensitive to spread, slippage, or session timing.

How do I install Harmonia MT5?

Download the licensed package from your SOFX account, place the EA file in the appropriate MetaTrader Experts folder, restart the platform, then attach it to the intended chart.

Do I receive updates after purchase?

Downloads and license records are handled through your SOFX account. Any available package update is delivered through the product download area.

How much capital is recommended?

Capital should be sized from your own forward test, broker conditions, and maximum tolerated drawdown rather than from the product price.

Does this EA use grid or martingale logic?

The catalog strategy tag includes Martingale, Trend Following, News Filter. Review order count, lot progression, spacing, and equity protection before live use.

What is the risk profile?

Harmonia MT5 is cataloged with the risk profile: Low Drawdown. Treat this as a screening label, not a guarantee.

Risk Warning

This is a historical MT5 backtest, not a live trading guarantee. Real results can differ because of spread, slippage, execution latency, liquidity, swaps, broker settings, and strategy overfitting.

Conclusion

Harmonia MT5 can be added to a research shortlist only after forward testing, broker-condition checks, and parameter sensitivity testing. Do not treat a single backtest as investment advice.

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Harmonia MT5 MT5 Expert Advisor cover Harmonia MT5

Original price was: $199.90.Current price is: $29.90.